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  • Mathematical Finance and Probability

Mathematical Finance and Probability

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This self-contained book presents the theory underlying the valuation of derivative financial instruments, which is becoming a standard part of the professional toolbox in the financial industry. It provides great insight into the underlying economic ideas in a very readable form, putting the reader in an excellent position to proceed to the more general continuous-time theory.
Lieferbar in ca. 20-45 Arbeitstagen

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93,00 CHF